Where Used List (Table) for SAP ABAP Data Element TXT20_SKAT (G/L account short text)
SAP ABAP Data Element
TXT20_SKAT (G/L account short text) is used by
| # | Object Type | Object Name | Object Description | Package | Structure Package | Software Component |
|---|---|---|---|---|---|---|
| 1 | /KYK/ISS_FIGL - SKBEZ | Structure for generated infoset for program RFSSLD00 | ||||
| 2 | /KYK/ISS_S_ALR_87012277 - SKBEZ | Structure for generated infoset for program RFSSLD00 | ||||
| 3 | /SAPPCE/SDPC_CON_ACC_ALV - TXT20 | Down Payment Chains: ALV Field for Account Assignment | ||||
| 4 | /SAPPCE/SDPC_CON_ICO_ALV - TXT20 | Down Payment Chain: ALV Field for Assessments & Addtl Cost | ||||
| 5 | /SAPPCE/SDPC_POST - TXT20 | Down Payment Chain: Screen Field Down Payment Requirement | ||||
| 6 | /SAPPCE/SDPC_POST_ACCOUNT - TXT20 | Down Payment Chain: Account Assignment Data (Table Control) | ||||
| 7 | ACCIT_AMDS - TXT20 | Accounting Interface: Item Information | ||||
| 8 | ACGL_ITEM - KONTO_TXT | Structure for Table Control: G/L Account Entry | ||||
| 9 | ANKL_S - TXK_KTNAFB | Structure for generating asset classes | ||||
| 10 | ANKL_S - TXK_KTANSW | Structure for generating asset classes | ||||
| 11 | BAPI3006_1 - SHORT_TEXT | Object 3006 Transfer Structure: G/L Account GetList | ||||
| 12 | BAPI3006_2 - SHORT_TEXT | Object 3006 Transfer Structure: G/L Account GetDetail | ||||
| 13 | BSKAT - TXT20 | G/L account master (chart of accounts: name) (batch input) | ||||
| 14 | BSKX - TXT20 | G/L account master record: Flat structure | ||||
| 15 | BUZI_DYNP200 - BEZ | Display Structure for Screen 200 in FG BUZI | ||||
| 16 | CNV_20100_SKAT - TXT20 | CNV backup copy for implementation of country-spec. CoA - ID | ||||
| 17 | CRIF_GL_BLNCE - TXT20 | G/L Balance Display as MiniApp | ||||
| 18 | EBPP_CC_HKONT - TXT20 | The Receivables Accounts for Payment Cards | ||||
| 19 | EPIC_S_EBR_OPEN_ITEM - GL_TXT20 | EPIC EBR open item | ||||
| 20 | FAA_S_ACCIT_AMDS - TXT20 | Document Display - New New Kernel | ||||
| 21 | FACM_S_RFSRUE10_LIST3 - TXT20 | FACM_S_RFSRUE10_LIST3 | ||||
| 22 | FAGL_ACC_S_RFEBBU00_ALV - TXT20 | Post Bank Statement/Check Deposit List | ||||
| 23 | FAGL_HEADER - RACCT_TEXT | Header Structure for Balance Display Screens | ||||
| 24 | FAGL_HEADER - RACCT_HIGH_TEXT | Header Structure for Balance Display Screens | ||||
| 25 | FAGL_S_RFBPET00_LIST2 - DESCRIPTION | ALV Structure for Report RFBPET00 | ||||
| 26 | FAGL_S_RFEBBE00_LIST_2 - TXT20 | ALV structure for report RFEBBE00 | ||||
| 27 | FAGL_S_RFSSLD00_LIST - SKBEZ | Structure for ALV Report RFSSLD00 | ||||
| 28 | FAGL_S_RFSUMB00_LIST1 - TXT20 | ALV Structure for Report RFSUMB00 | ||||
| 29 | FAGL_S_RFSUSA00_ACC_BALANCE - ACCOUNT_TEXT | FAGL_S_RFSUSA00_ACC_BALANCE | ||||
| 30 | FAGL_WZ_SPLIT_CONF_UI05 - ACCOUNT_TXT | UI Structure: Define Zero Balance Clearing Account | ||||
| 31 | FBS_SE_GLACCOUNT_NAME_DATAX - TXT20 | G/L Account Master Record: Descriptions - Data | ||||
| 32 | FCOMS_ORDER - SAKNR_TXT | Order (AUFK + Texts) | ||||
| 33 | FDBL_ACCOUNT - ACCOUNT_TEXT | Structure: F4 Help for Accounts (FI Balance Display) | ||||
| 34 | FDBL_HEADER - SAKNR_HIGH_TEXT | Header Structure for Balance Display Screens | ||||
| 35 | FDBL_HEADER - SAKNR_TEXT | Header Structure for Balance Display Screens | ||||
| 36 | FEB_ACCNT_SAVE - SAKNR_TXT | Saving of Posting Lines for Postprocessing (Account Assign.) | ||||
| 37 | FEB_BSPROC_ACC_ASSIGN - SAKNR_TXT | Account Assignment (Backend) | ||||
| 38 | FEB_BSPROC_ACC_ASSIGN_FE - SAKNR_TXT | Account Assignment | ||||
| 39 | FEB_BSPROC_ACC_ASSIGN_SV - SAKNR_TXT | Storing of Account Assignment Lines for Postprocessing | ||||
| 40 | FIAA_ALV_RAPERB - HKONT_TXT | ALV Structure for RAPERB2000 | ||||
| 41 | FIN_RFVWDPR0_ALV - TEXT_KONTO | Structure for RFVWDPR0 | ||||
| 42 | FKALV_S_RGCDDP00_LIST - GLACCOUNT | ALV Structure for Report RGCDDP00 | ||||
| 43 | FKALV_S_RGCDDP00_LIST - GROUPACCOUNT | ALV Structure for Report RGCDDP00 | ||||
| 44 | FKKL8_PAY - TXT20 | Account Balance (Workplace): Payment Data | ||||
| 45 | FKKL8_PAY_GLITEM - TXT20 | Account Balance (Workplace): Payment Data (G/L Items) | ||||
| 46 | FKK_CHECKCL_CASH - HKONT_TXT | Cash Check Receipt Clarification | ||||
| 47 | FKK_CHECKCL_WRITEOFF - HKONT_TXT | Write-Off Check Encashments | ||||
| 48 | FMCABK_TX - SAKNRT | Text Fields for Acct Assgmt Objects in Cash Desk Subledger | ||||
| 49 | FOAP_S_RFWEKO00_LIST - TXT20 | Field Catalog Structure for Report RFWEKO00 | ||||
| 50 | FOAP_S_RFWEKO00_LIST - BTEXT | Field Catalog Structure for Report RFWEKO00 | ||||
| 51 | FOAP_S_RFWEKO01_LIST - TXT20 | RFWEKO01 Field Catalog Structure | ||||
| 52 | FPE3_OPK - TXT20 | Document Display: Summarized G/L Items | ||||
| 53 | FSKAT - TXT20 | Change document structure; generated using RSSCD000 | ||||
| 54 | GBALANCE - TEXT | Structure for MiniApp | ||||
| 55 | GLACCOUNT_MASS_DESCR_TEXT_CCOD - TXT20 | G/L Acct Record: Mass Maintenance: Descr. Transfer Structure | ||||
| 56 | GLACCOUNT_MASS_DESCR_TEXT_COA - TXT20 | G/L Acct Record: Mass Maintenance: Descr. Transfer Structure | ||||
| 57 | GLACCOUNT_NAME_DATA - TXT20 | G/L Account Master Record: Descriptions - Data | ||||
| 58 | GLACCOUNT_NAME_DATA_ISS - TXT20 | G/L Account Master Record: Descriptions - Data | ||||
| 59 | GLACCOUNT_SCREEN_COA - TXT20_TX | G/L Account Master Record: Chart of Accounts (Screen Fields) | ||||
| 60 | GLACCOUNT_SCREEN_COA - TXT20_ML | G/L Account Master Record: Chart of Accounts (Screen Fields) | ||||
| 61 | GLACCOUNT_WEB_ATTRIBUTES - SHORT_TEXT | G/L Account Master Data Change Request: Attribute Fields | ||||
| 62 | GLACCOUNT_WEB_ATTRIBUTES_DB - TXT20 | Change Request for G/L Master Data: Attribute Fields-DB Name | ||||
| 63 | GLACCREFI - TXT20 | G/L Account Master Record: Create with Reference | ||||
| 64 | GLACCREFIA - TXT20 | G/L Account Record: Create w/ Reference - Attribute Fields | ||||
| 65 | GLACCREFW - TXT20 | G/L Account Master Record: Create with Reference | ||||
| 66 | GLE_STR_ADB_ADD - ACC_DESCRIPTION | Structure for Additional Fields | ||||
| 67 | HRPFD00_ACCOUNTLINE_DETAIL - KCTXT | HR-PF: Output Structure for Value Type Assignment | ||||
| 68 | HRPFD00_ACCOUNTLINE_DETAIL - KDTXT | HR-PF: Output Structure for Value Type Assignment | ||||
| 69 | IBKKIHBHLP1 - TXT20 | Help Structure for IHB | ||||
| 70 | IBKK_NOITEM_REP_INAC - C_GLACCT_TEXT | Statement of the Individual Items of an Interest Acc./Def. | ||||
| 71 | IDCN_GLACCATTRT - TXT20 | G/L account time-depen.attributes-texts(CN) | ||||
| 72 | IDCN_GLACCOLDT - KOBEZ | Old G/L Account Numbers - time dependent - texts (CN) | ||||
| 73 | IDCN_S_GLACCATTR - TXT20 | G/L account time-depen.attributes (CN) | ||||
| 74 | IDCN_S_GLACCATTRT - TXT20 | G/L account time-depen.texts (CN) | ||||
| 75 | IDCN_S_GLACCOLD - KOBEZ | Old G/L Account Numbers - time dependent (CN) | ||||
| 76 | IDCN_S_GRIR_BNG_ITEM - OATXT | GR/IR Report(China,Invoice Received But no Goods Received) | ||||
| 77 | IDCN_S_GRIR_GNB_ITEM - OATXT | GR/IR Report(China,Goods Received But not Invoice Received) | ||||
| 78 | IDCN_ZJFSKIPACCT - TXT20 | Skip G/L Account from P&L Account Closing Posting (Text) | ||||
| 79 | IDCN_ZJFSTR_CUMULATIVE_HEAD - TXT20_SKAT | P&L ZJF Report Cumulative Lines Head (China) | ||||
| 80 | IDCN_ZJFSTR_CUMULATIVE_ITEM - TXT20_SKAT | P&L ZJF Report Cumulative Lines Item (China) | ||||
| 81 | IDCN_ZJFSTR_SIMDOC_HEAD - DEBIT_TXT20_SKAT | P&L ZJF Report Simulation Document Header (China) | ||||
| 82 | IDCN_ZJFSTR_SIMDOC_HEAD - CREDIT_TXT20_SKAT | P&L ZJF Report Simulation Document Header (China) | ||||
| 83 | IDCN_ZJFSTR_SIMDOC_ITEM - DEBIT_TXT20_SKAT | P&L ZJF Report Simulation Document Item (China) | ||||
| 84 | IDCN_ZJFSTR_SIMDOC_ITEM - CREDIT_TXT20_SKAT | P&L ZJF Report Simulation Document Item (China) | ||||
| 85 | IFMSAKFIPO - TXT20 | FIFM: Structure for G/L Account Assignment to Cmmt Item | ||||
| 86 | INVFO - KONTO_TXT | Display Structure for Contract Account Line Items | ||||
| 87 | ISOIL_RGJVBR15_T8JVB11_EX_PDF - ACCTEXT_ACC_E | Structure for JV_US_EXP_NAT | ||||
| 88 | ISOIL_RGJVBR15_T8JVB11_IN_PDF - ACCTEXT_ACC_E | Structure for International JV Expense Report for PDF Form | ||||
| 89 | ISOIL_RGJVBR15_T8JVB11_PDF - ACCTEXT | JV Expense Report for PDF Form | ||||
| 90 | ISOIL_RGJVBR15_T8JVB11_US_PDF - ACCTEXT_ACC_E | Structure for US JV Expense Report for PDF Form | ||||
| 91 | ISU_RATE_ACCOUNT_DISP - TXT20_SKAT | Account Determination of Rate | ||||
| 92 | J_1AIFALVHDR - TXT20 | Header Structure ALV Inflation Adjustment | ||||
| 93 | J_1AINALVHDR - TXT20 | Header structure ALV inflation - open items / customer | ||||
| 94 | MYDELTALAUF_ALV - KONTO_T1 | ALV Structure for Delta Run | ||||
| 95 | MYDELTALAUF_ALV - KONTO_T2 | ALV Structure for Delta Run | ||||
| 96 | NONBSEG - KONTO_TXT | Include for Fields not Contained in BSEG | ||||
| 97 | ORPRINT - TX_SAKNR | CO - Order Fields for SapScript Printing | ||||
| 98 | P08P_DLR_I_PPOIX_ROW - KONT_TXT | Drilldown reporting: structure of output table | ||||
| 99 | PAYAC12 - TXT20_SKAT | Commitment Item/G/L Account Selection | ||||
| 100 | PTRV_BZ - KTEXT | Transfer Travel -> FI/CO: Structure of posting items BZ | ||||
| 101 | PTRV_BZ - HNTXT | Transfer Travel -> FI/CO: Structure of posting items BZ | ||||
| 102 | PTRV_EPK - KTEXT | Transfer Travel -> FI/CO: Structure of LIs with acct assign. | ||||
| 103 | PTRV_EPK - HNTXT | Transfer Travel -> FI/CO: Structure of LIs with acct assign. | ||||
| 104 | PTRV_EPK_NEW - KTEXT | Transfer Travel -> FI/CO: Structure of LIs with acct assign. | ||||
| 105 | PTRV_EPK_NEW - HNTXT | Transfer Travel -> FI/CO: Structure of LIs with acct assign. | ||||
| 106 | RA04C - KTEXT15 | Module pool table asset Customizing | ||||
| 107 | RA04C - KTEXT17 | Module pool table asset Customizing | ||||
| 108 | RA04C - KTEXT39 | Module pool table asset Customizing | ||||
| 109 | RA04C - KTEXT40 | Module pool table asset Customizing | ||||
| 110 | RA04C - KTEXT41 | Module pool table asset Customizing | ||||
| 111 | RA04C - KTEXT42 | Module pool table asset Customizing | ||||
| 112 | RA04C - KTEXT43 | Module pool table asset Customizing | ||||
| 113 | RA04C - KTEXT07 | Module pool table asset Customizing | ||||
| 114 | RA04C - KTEXT09 | Module pool table asset Customizing | ||||
| 115 | RA04C - KTEXT02 | Module pool table asset Customizing | ||||
| 116 | RA04C - KTEXT08 | Module pool table asset Customizing | ||||
| 117 | RA04C - KTEXT10 | Module pool table asset Customizing | ||||
| 118 | RA04C - KTEXT16 | Module pool table asset Customizing | ||||
| 119 | RA04C - KTEXT21 | Module pool table asset Customizing | ||||
| 120 | RA04C - KTEXT22 | Module pool table asset Customizing | ||||
| 121 | RA04C - KTEXT23 | Module pool table asset Customizing | ||||
| 122 | RA04C - KTEXT24 | Module pool table asset Customizing | ||||
| 123 | RA04C - KTEXT28 | Module pool table asset Customizing | ||||
| 124 | RA04C - KTEXT33 | Module pool table asset Customizing | ||||
| 125 | RA04C - KTEXT34 | Module pool table asset Customizing | ||||
| 126 | RA04C - KTEXT35 | Module pool table asset Customizing | ||||
| 127 | RA04C - KTEXT36 | Module pool table asset Customizing | ||||
| 128 | RA04C - KTEXT01 | Module pool table asset Customizing | ||||
| 129 | RA04C - KTEXT25 | Module pool table asset Customizing | ||||
| 130 | RA04C - KTEXT27 | Module pool table asset Customizing | ||||
| 131 | RA04C - KTEXT37 | Module pool table asset Customizing | ||||
| 132 | RA04C - KTEXT45 | Module pool table asset Customizing | ||||
| 133 | RA04C - KTEXT11 | Module pool table asset Customizing | ||||
| 134 | RA04C - KTEXT13 | Module pool table asset Customizing | ||||
| 135 | RA04C - KTEXT38 | Module pool table asset Customizing | ||||
| 136 | RA04C - KTEXT06 | Module pool table asset Customizing | ||||
| 137 | RA04C - KTEXT14 | Module pool table asset Customizing | ||||
| 138 | RA04C - KTEXT03 | Module pool table asset Customizing | ||||
| 139 | RA04C - KTEXT05 | Module pool table asset Customizing | ||||
| 140 | RA04C - KTEXT19 | Module pool table asset Customizing | ||||
| 141 | RA04C - KTEXT04 | Module pool table asset Customizing | ||||
| 142 | RA04C - KTEXT12 | Module pool table asset Customizing | ||||
| 143 | RA04C - KTEXT18 | Module pool table asset Customizing | ||||
| 144 | RA04C - KTEXT20 | Module pool table asset Customizing | ||||
| 145 | RA04C - KTEXT26 | Module pool table asset Customizing | ||||
| 146 | RA04C - KTEXT29 | Module pool table asset Customizing | ||||
| 147 | RA04C - KTEXT30 | Module pool table asset Customizing | ||||
| 148 | RA04C - KTEXT31 | Module pool table asset Customizing | ||||
| 149 | RA04C - KTEXT32 | Module pool table asset Customizing | ||||
| 150 | RA04C - KTEXT44 | Module pool table asset Customizing | ||||
| 151 | RECP_MM_CAPITAL_C - XGLACCOUNTS | Statement of Reserve Fund and Additional Fields | ||||
| 152 | RECP_MM_CAPITAL_DETAIL_C - XGLACCOUNTS | Reserve Fund Statement Details and Additional Fields | ||||
| 153 | REEXC_GLACCT_FI_X - TXT20 | G/L Account Master Record and Addit. Fields (SKA1/SKAT) | ||||
| 154 | REHORUECKL1 - TXT20_SKAT | WEG-Verwaltung: Rücklagen und Bankguthaben vertikale Liste | ||||
| 155 | REHORUECKL1H - TXT20_SKAT | WEG-Verwaltung: Rücklagen und Bankguthaben (horizont. Liste) | ||||
| 156 | REIS_MMCAP_DETAIL_L - XGLACCOUNTS | Reserve Fund Statement: Shares per Owner and Object | ||||
| 157 | REIS_MMCAP_L - XGLACCOUNTS | ALV Reporting: Statement of Reserve Fund | ||||
| 158 | REMM_CAPITAL_DETAIL_X - XGLACCOUNTS | Reserve Fund Statement: Shares per Owner and Object | ||||
| 159 | REMM_CAPITAL_X - XGLACCOUNTS | Statement of Reserve Fund and Additional Fields | ||||
| 160 | RF10V - TXT20 | Work field for SAPMF10V | ||||
| 161 | RFIDCN_GLTEXT - VALUE_NEW | Final table structure updates for short text for GL Account | ||||
| 162 | RFIDCN_GLTEXT - VALUE_OLD | Final table structure updates for short text for GL Account | ||||
| 163 | RFUMSV44_TBL_PDF - TXT20 | RFUMSV44_TBL | ||||
| 164 | RJHA651 - BEZ_CCACT | IS-M/AM: OPM Billing Dataset Display - Screen Structure | ||||
| 165 | RJLHFF - BEZ_CCACT | IS-M/AM: Structure of Screen Fields for SAPLJHFF | ||||
| 166 | RLS_TFK012_F4 - TEXT | RL: F4 Help for HBKID-HKTID | ||||
| 167 | RM07SCR - D1041_ACCT | Screen fields for Customizing wizards | ||||
| 168 | RM07SCR - D1049_ACCT | Screen fields for Customizing wizards | ||||
| 169 | RM07SCR - D1071_CRET | Screen fields for Customizing wizards | ||||
| 170 | RM07SCR - D1071_DEBT | Screen fields for Customizing wizards | ||||
| 171 | RM07SCR - D1013_ACCT | Screen fields for Customizing wizards | ||||
| 172 | RM07SCR - D1014_ACCT | Screen fields for Customizing wizards | ||||
| 173 | RM07SCR - D1019_ACCT | Screen fields for Customizing wizards | ||||
| 174 | SIBRSTDIATXT - GLACCOUNT_TXT | Broker Report: Dialog Text Fields | ||||
| 175 | SIMAFLDS - TS_HKONT | IO: Work and Screen Fields | ||||
| 176 | SIMAFLDS - TH_HKONT | IO: Work and Screen Fields | ||||
| 177 | SIMAFLDSTEXT - TH_HKONT | IO: Work and Screen Fields: Text Fields | ||||
| 178 | SIMAFLDSTEXT - TS_HKONT | IO: Work and Screen Fields: Text Fields | ||||
| 179 | SKAT - TXT20 | G/L Account Master Record (Chart of Accounts: Description) | ||||
| 180 | T8A50_ADD - TXT20H | Additional text fields: Maintenance screen | ||||
| 181 | T8JVB11 - ACCTEXT | JV SAPscript Expense Report | ||||
| 182 | T8JVB13 - ACCTEXT | JV SAPscript Supl. Dtl. Rpt. | ||||
| 183 | T8JVB43 - ACCTEXT | JV SAPscript Suppl. Dtl Rpt - Expenditure Detail | ||||
| 184 | TBKKC_GLACC_TEXT - TXT20 | GL-ACCOUNT-TEXT | ||||
| 185 | TCCF - TXT20 | Structure for Creating Commitment Items | ||||
| 186 | TRACS_DFTACC - C_ACCOUNT_TEXT | Update Rules and Relevant G/L Accounts | ||||
| 187 | TRACS_DFTACC - D_ACCOUNT_TEXT | Update Rules and Relevant G/L Accounts | ||||
| 188 | TRCA_GL_ACC - SHORT_TEXT | TR-CA: Interfaces for FI accounts | ||||
| 189 | TSAKR - TXT20 | Create G/L account with reference | ||||
| 190 | TXI_SKAT - TXT20 | G/L Account Master Record (Chart of Accounts: Description) | ||||
| 191 | TXW_GLACC - TXT20 | G/L account master | ||||
| 192 | UISS_GLACCOUNT_COA_DATA - TXT20 | Self service communication structure account in COA data | ||||
| 193 | UISS_S_GLACCOUNT_DETAIL - SHORT_TEXT | Structure for GL Account |